IMPORTANT NOTICE VIKTIGT MEDDELANDE

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1 IMPORTANT NOTICE VIKTIGT MEDDELANDE In accessing the attached final terms (the "Final Terms") you agree to be bound by the following terms and conditions. Genom att ta del av de bilagda slutliga villkoren ("Slutliga Villkoren") godkänner du att bli bunden av följande villkor. The information contained in the Final Terms may be addressed to and/or targeted at persons who are residents of particular countries only as specified in the Final Terms and/or in the Base Prospectus (as defined in the Final Terms) and is not intended for use and should not be relied upon by any person outside those countries and/or to whom the offer contained in the Final Terms is not addressed. Prior to relying on the information contained in the Final Terms, you must ascertain from the Final Terms and/or the Base Prospectus whether or not you are an intended addressee of the information contained therein. Informationen i dessa Slutliga Villkor är endast adresserad till och/eller riktad till personer som bor i de särskilda länder som anges i de Slutliga Villkoren och/eller i Grundprospektet (definierat i de Slutliga Villkoren) och är inte ämnad för användning och ska inte förlitas på av någon person utanför de länderna och/eller till vilka erbjudandet i dessa Slutliga Villkor inte är adresserat. Innan du förlitar dig på innehållet i de Slutliga Villkoren måste du säkerställa att du är en avsedd adressat av informationen i de Slutliga Villkoren och/eller Grundprospektet. Neither the Final Terms nor the Base Prospectus constitutes an offer to sell or the solicitation of an offer to buy securities in the United States or in any other jurisdiction in which such offer, solicitation or sale would be unlawful prior to registration, exemption from registration or qualification under the securities law of any such jurisdiction. Varken de Slutliga Villkoren eller Grundprospektet utgör ett erbjudande att sälja eller en inbjudan att köpa värdepapper i USA eller i någon annan jurisdiktion i vilka ett sådant erbjudande, inbjudan eller försäljning skulle vara olagligt innan de har registrerats, ett undantag från registrering har erhållits eller enligt annan bestämmelse under värdepapperslagarna i en sådan jurisdiktion. The securities described in the Final Terms and the Base Prospectus have not been, and will not be, registered under the U.S. Securities Act of 1933, as amended (the "Securities Act") and may not be offered or sold directly or indirectly within the United States or to, or for the account or benefit of, U.S. persons or to persons within the United States of America (as such terms are defined in Regulation S under the Securities Act ("Regulation S")). The securities described in the Final Terms will only be offered in offshore transactions to non-u.s. persons in reliance upon Regulation S. De värdepapper som beskrivs i de Slutliga Villkoren och Grundprospektet har inte, och kommer inte, registreras i enlighet med U.S. Securities Act of 1933, såsom den har ändrats ("Securities Act") och får inte erbjudas eller säljas direkt eller indirekt inom USA eller till, för, eller till förmån för, amerikanska medborgare eller till personer i USA (såsom termerna definieras i Regulation S i Securities Act ("Regulation S")). De värdepapper som beskrivs i de Slutliga Villkoren kommer endast erbjudas i offshore-transaktioner till icke-amerikanska medborgare i enlighet med Regulation S. - 1-

2 Final Terms dated 8 May 2017 Slutliga villkor daterade 8 maj 2017 NORDEA BANK AB (PUBL) Issue of Bear Certificate under the Programme for the Issuance of Warrants and Certificates NORDEA BANK AB (PUBL) Emission av Bear Certifikat under ett Program för Emission av Warranter och Certifikat The Base Prospectus referred to below (as completed by these Final Terms) has been prepared on the basis that, except as provided in sub-paragraph (b) below, any offer of Instruments in any Member State of the European Economic Area which has implemented the Prospectus Directive (each, a "Relevant Member State") will be made pursuant to an exemption under the Prospectus Directive, as implemented in that Member State, from the requirement to publish a prospectus for offers of the Instruments. Accordingly any person making or intending to make an offer of the Instruments may only do so: (a) (b) in circumstances in which no obligation arises for the Issuer to publish a prospectus pursuant to Article 3 of the Prospectus Directive or supplement a prospectus pursuant to Article 16 of the Prospectus Directive, in each case, in relation to such offer; or in those Public Offer Jurisdictions mentioned in Paragraph 6 of Part B below, provided such person is one of the persons described in Paragraph 6 of Part B below and which satisfies conditions set out therein and that such offer is made during the Offer Period specified for such purpose therein. With respect to any subsequent resale or final placement of Instruments as provided in sub-paragraph (b) above, the Issuer consents to the use of the Base Prospectus and accepts responsibility for the content of the Base Prospectus. The Issuer has not authorised, nor does it authorise, the making of any offer of Instruments in any other circumstances. The expression "Prospectus Directive" means Directive 2003/71/EC (as amended, including by Directive 2010/73/EU) provided, however, that all references in this document to the "Prospectus Directive" in relation to any Member State of the European Economic Area refer to Directive 2003/71/EC (as amended), and include any relevant implementing measure in the relevant Member State. Grundprospektet som det hänvisas till nedan (som kompletteras av dessa Slutliga Villkor) har tagits fram under förutsättningen att, förutom såsom anges i punkten (b) nedan, varje erbjudande om Instrument i varje Medlemsstat i det Europeiska Ekonomiska Samarbetsområdet som har implementerat Prospektdirektivet (var och en benämnda en "Relevant Medlemsstat") kommer att göras med stöd av ett undantag i Prospektdirektivet, såsom det har implementerats i den Medlemsstaten, från kravet på att publicera ett prospekt för erbjudanden om Instrument. Följaktligen kan personer som lämnar eller som avser att lämna erbjudanden avseende Instrumenten göra det enbart: (a) (b) under omständigheter då ingen förpliktelse uppstår för Emittenten att publicera ett prospekt i enlighet med Artikel 3 i Prospektdirektivet eller att komplettera ett prospekt i enlighet med Artikel 16 i Prospektdirektivet, i bägge fall i samband med ett sådant erbjudande; eller: i de Erbjudande till Allmänheten Jurisdiktioner som anges i punkt 6 av Del B nedan, under förutsättning att sådana personer är en av de personer som beskrivs i punkt 6 av Del B nedan och som uppfyller de villkor som anges däri och att erbjudandet görs under den Erbjudandeperiod som specificeras däri för sådant syfte. Avseende varje senare återförsäljning eller slutlig placering av Instrumenten såsom anges i punkt (ii) ovan, samtycker Emittenten användandet av Grundprospektet och accepterar ansvar för innehållet i Grundprospektet. Emittenten har inte godkänt, eller godkänner, att några erbjudanden avseende Instrumenten görs under några andra omständigheter. - 2-

3 Uttrycket "Prospektdirektivet" avser direktivet 2003/71/EG (med gjorda ändringar, inklusive 2010 års ändringsdirektiv 2010/73/EU) under förutsättning, att alla hänvisningar i detta dokument till "Prospektdirektivet" i relation till varje Medlemsstat i det Europeiska Ekonomiska Samarbetsområdet hänvisar till direktiv 2003/71/EG (med gjörda ändringar), och inkluderar varje relevant implementeringsåtgärd i den relevanta Medlemsstaten). PART A CONTRACTUAL TERMS Terms used herein shall be deemed to be defined as such for the purposes of the Conditions (the "Conditions") set forth in the Base Prospectus dated 15 June 2016 and the supplemental Base Prospectus no. 1 dated 12 August 2016, no. 2 dated 3 October 2016, no. 3 dated 7 November 2016, no.4 dated 5 January 2017, no.5 dated 2 February 2017 and no.6 dated 10 March 2017 which constitutes a base prospectus (the "Base Prospectus") for the purposes of the Prospectus Directive. This document constitutes the Final Terms of the Instruments described herein for the purposes of Article 5.4 of the Prospectus Directive and must be read in conjunction with the Base Prospectus. A summary of the Instruments (which comprises the summary in the Base Prospectus as completed to reflect the provisions of these Final Terms) is annexed to these Final Terms. Full information on the Issuer and the offer of the Instruments is only available on the basis of the combination of these Final Terms and the Base Prospectus. The Base Prospectus and these Final Terms are available for viewing during normal business hours at, and copies may be obtained from, the principal office of the Issuer at Smålandsgatan 17, SE Stockholm, Sweden and from DEL A KONTRAKTUELLA VILLKOR Ord som används häri ska anses ha samma innebörd som i Villkoren ("Villkoren") som anges i Grundprospektet daterat 15 juni 2016 och i supplement till Grundprospektet nr. 1 daterat 12 augusti 2016, nr. 2 daterat 3 oktober 2016, nr. 3 daterat den 7 november 2016, nr. 4 daterat den 5 januari, nr.5 daterat den 2 februari 2017 och nr.6 daterat 10 mars 2017 vilka utgör ett grundprospekt ("Grundprospektet") i Prospektdirektivets mening. Det här dokumentet utgör de Slutliga Villkoren för Instrumenten som beskrivs häri i enlighet med artikel 5.4 i Prospektdirektivet och måste läsas tillsammans med Grundprospektet. En sammanfattning av Instrumenten (innefattande sammanfattningen i Grundprospektet som är upprättad för att reflektera bestämmelserna i dessa Slutliga Villkor) är bilagd till dessa Slutliga Villkor. Fullständig information om Emittenten och erbjudandet av Instrumenten kan endast fås genom dessa Slutliga Villkor och Grundprospektet (tillsammans med eventuella tillägg) i kombination. Grundprospektet och kopior av dessa Slutliga Villkor finns tillgängliga för granskning under normal arbetstid och kopior kan erhållas från Emittentens huvudkontor på Smålandsgatan 17, SE Stockholm, Sweden och på I. GENERAL TERMS / ALLMÄNNA VILLKOR 1. (i) Issuer: Nordea Bank AB (publ) (i) Emittent: Nordea Bank AB (publ) (ii) Instrument Type: Certificate (ii) Instrument Certifikat (iii) Type of Warrant: Not Applicable (iii) Typ av Warrant: (iv) Type of Market Warrant: Not Applicable (iv) Typ av av Marknadswarrant: (v) Type of Turbo Warrant: Not Applicable (v) Typ av Turbowarrant: - 3-

4 (vi) Type of Mini Future: Not Applicable (vi) Typ av Mini Future: (vii) Type of Certificate: Bear Certificate (vi) Typ av Certifikat: Bear Certifikat 2. (i) Series Number: 2017:7N SE (i) Serienummer: 2017: 7N SE (ii) Tranche Number: 1 (ii) Tranchenummer: 1 (iii) (iii) Date on which the Instruments become fungible: Datum då Instrumenten blir fungibla: Not Applicable 3. Currency: Swedish Krona ( SEK ) Valuta: Svenska Kronor ( SEK ) 4. Number of Instruments: Antal Instrument: (i) Series: 2,400,000 per ISIN (i) Serie: 2,400,000 per ISIN (ii) Tranche: 2,400,000 per ISIN (ii) Tranch: 2,400,000 per ISIN 5. Issue Price: SEK 100 per Instrument Emissionspris: SEK 100 per Instrument 6. Issue Date: 9 May 2017 Emissionsdag: 9 Maj Settlement Date: 10 Business Days after the Expiration Date Återbetalningsdag 10 Bankdagar efter Förfallodagen 8. Business Day Convention: Following Business Day Convention unadjusted Bankdagskonventionen: Efterföljande Bankdagskonvention ojusterad 9. Exchange Business Day Convention: Following Business Day Convention Börsdagskonvention: Efterföljande Bankdagskonvention 10. Scheduled Trading Day: As specified in the Conditions - 4-

5 Planerad Handelsdag: II. PROVISIONS RELATING TO INTEREST OR YIELD II. BESTÄMMELSER FÖR RÄNTA ELLER AVKASNING Såsom närmare anges i Villkoren NOT APPLICABLE INTE TILLÄMPLIGT Items 11 to 60 have been intentionally omitted Punkterna 11 till 60 har medvetet utelämnats III. PROVISIONS RELATING TO SETTLEMENT III. BESTÄMMELSER FÖR ÅTERBETALNING 61. Expiration Date: Expiration Date Determination Förfallodag: 62. Number of Expiration Date Business Days: Fastställelse av Förfallodag 5 Antal Förfallodagsbankdagar: Initial Price: SEK 100 Startkurs: SEK Initial Price Determination Period: Not Applicable Fastställelseperiod för Startkurs: 65. Initial Price Determination Date(s): Not Applicable Fastställelsedag(ar) för Startkurs: 66. Closing Price: The Reference Price on the Closing Price Determination Date Slutkurs: Referenskursen på Fastställelsedagen för Slutkursen 67. Closing Price Determination Date(s): Closing Date Determination Fastställelsedag(ar) för Slutkurs: 68. Closing Price following Early Expiration Event: Slutkurs efter en Förtida Förfallohändelse: Fastställelse av Slutdag Condition 6(d) is Not Applicable Villkor 6(d) är 69. Number of Closing Date Business Days: 5 Antalet Stängningsbankdagar för Slutdag: Strike Price: Not Applicable Lösenkurs: 71. Strike Price Determination Period: Not Applicable - 5-

6 Fastställelseperiod för Lösenkurs: 72. Strike Price Determination Date(s): Not Applicable Fastställelsedag för Lösenkurs: 73. Financing Level: Not Applicable Finansieringsnivå: 74. Financing Level Calculation Date: Not Applicable Beräkningsdag för Finansieringsnivå: 75. Redemption Price: Not Applicable Återinlösenpris: 76. Base Rate: LIBOR (USD OverNight) on the relevant day published on Reuter's Relevant Screen Page (or through such other system or on such other screen page as replaces the aforementioned system or screen page) or, where such quotation is not available, the Issuer's assessment of the relevant rate of interest. Räntebas: LIBOR (LIBOR USD OverNight Index Average) på den relevanta dagen publicerad på Relevant Reutersida (eller genom sådant system eller på sådan annan sida som ersätter nämnda system eller sida) eller, om sådan notering inte finns, Emittentens bedömning av den relevanta räntan. 77. Reuter's Relevant Screen Page: LIBOR01 Relevant Reutersida: LIBOR Base Rate Margin: As specified in the table in Part B of these Final Terms Räntebasmarginal: Såsom anges i tabellen i Del B av dessa Slutliga Villkor 79. Day Calculation Method Actual/365 (Fixed) Dagberäkningsmetod: Faktisk/365 (Fast) 80. Redemption Price Start: Not Applicable Startvärde för Återinlösenpris: 81. Reference Price Determination Method: Valuation Time Fastställelsemetod för Referenskurs: Värderingstid 82. Reference Price: As determined in accordance with paragraph (i) of the definition of "Reference Price" Referenskurs: Som fastställs i enlighet med punkt (i) av definitionen av "Referenskurs" 83. Valuation Date: Each Scheduled Trading Day during the term of the - 6-

7 Instrument Värderingsdag: Varje Planerad Handelsdag under löptiden för Instrumentet 84. Valuation Time: 18:00 CET Värderingstid: 18:00 CET 85. Multiplier: Not Applicable Multiplikator: 86. Underlying Amount: Not Applicable Underliggande Belopp: 87. Participation Rate: Not Applicable Deltagandegrad: 88. Leverage Factor: As specified in the table in Part B of these Final Terms Hävstångsfaktor: Såsom anges i tabellen i Del B av dessa Slutliga Villkor 89. Early Expiration Event: Applicable: an Early Expiration Event will occur if the Barrier Reference Price is equal to or higher than the Barrier Level Förtida Förfallohändelse: 90. Commencement of observation of Early Expiration Event: Påbörjande av observationer av Förtida Förfallohändelse: Tillämpligt: en Förtida Förfallohändelse uppstår om Referenskurs för Barriärnivå motsvarar eller är högre än Barriärnivån Listing Date Noteringsdag 91. Number of Trading Hours: Not Applicable Antal Handelstimmar: 92. Initial Translation Rate: The Translation Rate on the Scheduled Trading Day prior to the Listing Date which is not a Disrupted Day Initial Växelkurs: Växelkursen på Planerad Handelsdag före Noteringsdagen som inte är en Störd Handelsdag. 93. Translation Rate: Applicable. Calculated as the number of SEK per 1 USD. Växelkurs: Tillämpligt. Beräknad som antalet SEK per 1 USD. 94. Exchange Rate Reference Source: The average of the latest bid and ask prices for the Listing Currency, as published by Thomson Reuters under Reuters Instrument Code (RIC) SEK=. - 7-

8 Referenskälla för Växelkurs: Genomsnittet av senaste köp- och säljkurs för Noteringsvalutan som offentliggörs av Thomson Reuters under Reuters Instrument Code (RIC) SEK=. 95. Exchange Rate Reference Time: 18:00 CET Referenstidpunkt för Växelkurs: 18:00 CET 96. Settlement Amount Cap: Not Applicable Tak för Återbetalningsbelopp: 97. Settlement Amount Floor: Not Applicable Golv för Återbetalningsbelopp: 98. Dividend Coupon: Not Applicable Utdelningskupong: 99. Dividend Coupon Date(s): Not Applicable Utdelningskupongdag(ar): 100. Dividend Reinvestment: Not Applicable Återinvestering av Utdelning: 101. Dividend Reinvestment Date(s): Not Applicable Dag(ar) för Återinvestering av Utdelning: 102. Material Price Movement: Not Applicable Väsentlig Prisrörelse: 103. Material Price Percentage: Not Applicable Väsentlig Prisprocentsats: 104. Max Level: Not Applicable Maxnivå: 105. Barrier Level(s): As specified in the table in Part B of these Final Terms Barriärnivå(er): Såsom anges i tabellen i Del B av dessa Slutliga Villkor 106. Determination Date(s): Not Applicable Fastställelsedag(ar): 107. Barrier Reference Price: All of the most recent transaction prices during continuous trading listed on a Reference Source, commencing on the Listing Date up to and including the Expiration Date Referenskurs för Barriärnivå: Alla de senaste betalkurserna under kontinuerlig handel som är noterade på en Referenskälla, med början på Noteringsdagen fram till och med - 8-

9 Förfallodagen 108. Observation Day for Barrier Level(s): Continuous Observation (i) (ii) Observation Start Date: Observation End Date: Listing Date Expiration Date Observationsdag för Barriärnivå(er): Kontinuerlig Observation (i) (ii) Startdag för Observation: Slutdag för Observation: Noteringsdagen Förfallodagen 109. Administration Fee: 0% Administrationsavgift: 0% 110. Maximum Administration Fee: Not Applicable Maximal Administrationsavgift: 111. Initial Accumulated Value: The Initial Price Initialt Ackumulerat Värde: Startkursen 112. Accumulated Value Calculation Day: Each Scheduled Trading Day during the Accumulated Value Calculation Period Beräkningsdag för Ackumulerat Värde: Varje Planerad Handelsdag under Beräkningsperioden för Ackumulerat Värde 113. Stop Loss Event: Not Applicable Förluststoppshändelse: 114. Stop Loss Level: Not Applicable Förluststoppsnivå: 115. Stop Loss Rollover Date(s): Not Applicable Rullningsdag(ar) för Förluststopp: 116. Stop Loss Buffer: Not Applicable Förluststoppsbuffert: 117. Stop Loss Observation Period: Not Applicable Observationsperiod för Förluststopp: IV. EARLY REDEMPTION APPLICABLE IV. FÖRTIDA ÅTERINLÖSEN TILLÄMPLIGT 118. Application for Redemption: Applicable Ansökan om Återinlösen: Tillämpligt 119. Redemption Date(s): The third Friday in March, June, September and December each year or, if such day is not a Business Day, the next following Business Day. - 9-

10 Återinlösendag(ar): Tredje fredagen i mars, juni, september respektive december varje år eller, om sådan dag inte är en Bankdag, närmast påföljande Bankdag Number of Redemption Business Days: 5 Antal Återinlösenbankdagar: Redemption Fee: 2.00 % of Settlement Amount Återinlösenavgift: 2,00 % av Återbetalningsbeloppet 122. Specific Early Redemption: Applicable Särskild Förtida Återinlösen: Tillämpligt 123. Redemption Price: Not Applicable Återinlösenpris: V. PROVISIONS APPLICABLE TO DISRUPTION, ADJUSTMENTS AND OTHER EXTRAORDINARY EVENTS. V. BESTÄMMELSER TILLÄMPLIGTA FÖR AVBROTT, JUSTERINGAR OCH EXTRAORDINÄRA HÄNDELSER Change in Law: As set out in the Conditions Ändring av Lag: Såsom framgår av Villkoren 125. Increased Costs of Hedging: As set out in the Conditions Ökade Riskhanteringskostnader: Såsom framgår av Villkoren 126. Hedging Disruption: As set out in the Conditions Störning av Riskhantering: Såsom framgår av Villkoren 127. Market Disruption: As set out in the Conditions Marknadsavbrott: Såsom framgår av Villkoren 128. Disruption Commodity: As set out in the Conditions Störd Råvara: Såsom framgår av Villkoren 129. Currency Disruption: As set out in the Conditions Störd Valuta: Såsom framgår av Villkoren Minimum Amount: Not Applicable Minimibelopp: 130. Fund Event: As set out in the Conditions Fondhändelse: Såsom framgår av Villkoren 131. Changed Calculation: As set out in the Conditions Ändrad Beräkning: Såsom framgår av Villkoren 132. Corrections: As set out in the Conditions - 10-

11 Korrigeringar: Såsom framgår av Villkoren 133. Correction Commodity: As set out in the Conditions Korrigering Råvara: Såsom framgår av Villkoren 134. Correction Currency: As set out in the Conditions Korrigeringar Valuta: Såsom framgår av Villkoren 135. Extraordinary Events: As set out in the Conditions Extraordinära Händelser: Såsom framgår av Villkoren 136. Interest Rate Fallback: As set out in the Conditions Fallback för Räntesats: Såsom framgår av Villkoren GENERAL PROVISIONS APPLICABLE TO THE INSTRUMENTS GENERELLA BESTÄMMELSER FÖR INSTRUMENTEN 137. Form of Instruments: Swedish Instruments. The Instruments are Swedish Instruments in uncertificated and dematerialised book entry form Typ av Instrument: Svenska Instrument. Instrumenten är Svenska Instrument i dematerialiserad och kontoförd form 138. Calculation Agent: Nordea Bank AB (publ) Beräkningsagent: Nordea Bank AB (publ) 139. Governing Law: Swedish Law Gällande Lag: Svensk lag PURPOSE OF FINAL TERMS SYFTE MED SLUTLIGA VILLKOR These the Final Terms comprise the final terms required for the issue and admission to trading on the regulated market of the Nasdaq Stockholm of the Instruments described herein pursuant to the Programme for the Issuance of Warrants and Certificates of Nordea Bank AB (publ). Dessa Slutliga Villkor omfattar de slutliga villkor som erfordras för utgivandet och upptagande till handel på den reglerade marknaden vid Nasdaq Stockholm av Instrumenten som beskrivs häri enligt Programmet för emission av Warranter och Certifikat med Nordea Bank AB (publ). RESPONSIBILITY ANSVAR The Issuer accepts responsibility for the information contained in these the Final Terms. Emittenten åtar sig ansvar för den informationen som innefattas i dessa Slutliga Villkor

12 Signed on behalf of Nordea Bank AB: Undertecknas för Nordea Bank AB (publ): By/Av:... Duly authorised/ Behörigen utsedd - 12-

13 PART B OTHER INFORMATION DEL B ÖVRIG INFORMATION 1. LISTING AND ADMISSION TO TRADING LISTNING OCH UPPTAGANDE TILL HANDEL Listing Date: Noteringsdag: Listing Currency: Noteringsvaluta: Trading Lot: Handelspost: Application has been made by the Issuer (or on its behalf) for the Instruments to be admitted to the official list and to trading on the Nasdaq Stockholm with effect from the Issue Date. Ansökan har gjorts av Emittenten (eller på dennes vägnar) för att Instrumenten ska listas på den officiella listan vid Nasdaq Stockholm samt handlas från och med Emissionsdagen. The Issue Date Emissionsdagen SEK SEK One (1) Certificate constitutes one Trading Lot Ett (1) Certifikat utgör en Handelspost 2. INTERESTS OF NATURAL AND LEGAL PERSONS INVOLVED IN THE ISSUE/OFFER INTRESSEN FRÅN FYSISKA OCH JURIDISKA PERSONER SOM ÄR INVOLVERADE I EMISSIONEN/ERBJUDANDET Save for any fees payable to Authorised Offerors or other third party distributors in connection with the distribution of the Instruments, so far as the Issuer is aware, no person involved in the offer of the Instruments has an interest material to the offer. Med undantag för avgifter som ska betalas till Auktoriserad Säljare eller andra tredjepartsdistributörer i samband med utdelningen av instrument har, såvitt Emittenten känner till, ingen person som är involverad i erbjudandet av Instrumenten något väsentligt intresse i erbjudandet

14 3. PERFORMANCE INFORMATION CONCERNING THE UNDERLYING ASSSET(S) VÄRDEUTVECKLINGSINFORMATION RÖRANDE UNDERLIGGANDE TILLGÅNGAR Instrument Trading Code/ ISIN Underlying Asset(s) and Issuer Underlying Asset ISIN Number of Certificates Barrier Level Leverage Factor Base Rate Margin Reference Price and Currency Reference Source for past and future performance data BEAROLJAX3NON SE ICE Brent Crude futures contract Not applicable 2,400,000 per ISIN 133,33% -3 2,50% USD ICE Futures Europe BEAROLJAX5NON SE ICE Brent Crude futures contract Not applicable 2,400,000 per ISIN 120,00% -5 4,50% USD ICE Futures Europe BEAROLJAX10NON SE ICE Brent Crude futures contract Not applicable 2,400,000 per ISIN 110,00% -10 9,50% USD ICE Futures Europe BEAROLJAX12NON SE ICE Brent Crude futures contract Not applicable 2,400,000 per ISIN 108,33% ,50% USD ICE Futures Europe Instrument Handelskod/ ISIN Underligga nde Tillgång och Emittent ISIN för Underligg ande Tillgång Antal Certifi kat Barriär nivå Hävstångsf aktor Räntebasmar ginal Referensk urs och Referensv aluta Källa för tidigare och framtida avkastnings data BEAROLJAX3 NON SE ICE Terminskon trakt på olja (Brent) Ej Tillämpligt 2,400,0 00 per ISIN 133,33% -3 2,50% USD ICE Futures Europe BEAROLJAX5 NON SE ICE Terminskon trakt på olja (Brent) Ej Tillämpligt 2,400,0 00 per ISIN 120,00% -5 4,50% USD ICE Futures Europe BEAROLJAX1 0NON SE ICE Terminskon trakt på olja (Brent) Ej Tillämpligt 2,400,0 00 per ISIN 110,00% -10 9,50% USD ICE Futures Europe BEAROLJAX1 2NON SE ICE Terminskon trakt på olja (Brent) Ej Tillämpligt 2,400,0 00 per ISIN 108,33% ,50% USD ICE Futures Europe - 14-

15 The Issuer does not intend to provide post-issuance information. Emittenten avser inte att tillhanda information efter emissionen. The information below comprises extracts from, or summaries of, information which is in the public domain. The Issuer assumes responsibility for the information being correctly reproduced. However, the Issuer has not conducted any independent verification of the information and assumes no liability for the information being correct. Informationen nedan består av utdrag från, eller sammanfattningar av offentligt tillgänglig information. Emittenten tar ansvar för att informationen är korrekt återgiven. Emittenten har emellertid inte gjort en oberoende kontroll av informationen och tar inget ansvar för att informationen är korrekt. Underlying Asset is a commodity, exchange rate, interest rate, forward contract or futures contract Underliggande Tillgång är en råvara, växelkurs, ränta eller ett terminskontrakt Oil futures certificates: Underlying Asset s designation: Underliggande Tillgångs benämning: Description: Beskrivning: Historical rate/rate diagram: Kurshistorik/Kursdiagram: Rolling of Futures Contracts: Rullning av Terminskontrakt: Roll Date(s): Rullningsdag(ar): ICE Brent Crude futures contract ICE Brent Crude futures contract Futures contracts on Brent Crude listed on ICE are contracts for delivery EFP (Exchange of Futures for Physical) with possibility for cash settlement. Terminskontrakt på Brent Crude noterat på ICE är ett kontrakt för leverans EFP (Exchange of Futures for Physical) med möjlighet till kontantavräkning. Not Applicable Applicable Tillämpligt Any day from and including the fifth Scheduled Trading Day prior to expiration of the relevant futures contract Någon av dagarna som infaller från och med den femte Planerade Handelsdagen före förfallodagen för det relevanta terminskontraktet Additional Information: Additional information regarding the Underlying Asset is available on ctspec.shtml?specid=219 Ytterligare information: Ytterligare information om Underliggande Tillgång kan erhållas på

16 ctspec.shtml?specid= OPERATIONAL INFORMATION OPERATIONELL INFORMATION ISIN Code: ISIN: Common Code: Gemensam Kod: Clearing system(s): Clearingsystem: Market Maker(s): Market Maker(s): As specified in the table in Part B of these Final Terms Såsom anges i tabellen i Part B i dessa Slutliga Villkor Not Applicable Euroclear Sweden Euroclear Sweden Nordea Bank AB (publ) Nordea Bank AB (publ) 6. DISTRIBUTION DISTRIBUTION Public Offer: Erbjudande till Allmänheten: Offer Price: Pris för Erbjudandet: Conditions to which the offer is subject: Villkor för erbjudandet: Description of the application process: Beskrivning av ansökningsprocessen: Description of possibility to reduce subscriptions and manner for refunding excess amount paid by applicants: Beskrivning av möjligheten att reducera teckning och metod för att återbetala överskridande belopp som har betalats av sökande: Details of the minimum and/or maximum amount of application: The Issuer does not consent to the use of the Base Prospectus in connection with a Public Offer of the Instruments by any person. Emittenten samtycker inte till användandet av detta Grundprospekt i samband med ett Erbjudande till Allmänheten av Instrument av någon person. Not Applicable Not Applicable Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable - 16-

17 Uppgifter om det minsta och/eller högsta antalet ansökningar: Details of the method and time limits for paying up and delivering the Instruments: Uppgifter om metoden och tidsbegränsningar för att betala och leverera Instrumenten: Manner in and date on which results of the offer are to be made public: Metod för och datum när resultat av erbjudandet kommer offentliggöras till allmänheten: Procedure for exercise of any right of preemption, negotiability of subscription rights and treatment of subscription rights not exercised: Procedur för att utnyttja rättigheter för förköpsrätt, förhandling av teckningsrätter och behandling av teckningsrätter som inte har utnyttjats: Whether tranche(s) have been reserved for certain countries: Huruvida trancher har reserverats för särskilda länder: Process for notification to applicants of the amount allotted and the indication whether dealing may begin before notification is made: Process för att underrätta kandidater om det tilldelade belopp och om handel kan komma att påbörjas före det att underrättelse har skett: Amount of any expenses and taxes specifically charged to the subscriber or purchaser: Belopp för utgifter och skatter som särskilt kan tas ut av tecknare eller köpare: Name(s) and address(es), to the extent known to the Issuer, of the Authorised Offerors in the various countries where the offer takes place. Namn och adress(er), i den utsträckning som Emittenten känner till, till Auktoriserade Säljare i de olika länder där erbjudanden sker. Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt Not Applicable Ej tillämpligt None Inget - 17-

18 - 18-

19 ANNEX TO THE FINAL TERMS - SUMMARY OF THE BASE PROSPECTUS Summaries are made up of disclosure requirements known as "Elements". These elements are numbered in Sections A E (A.1 E.7). This summary contains all the Elements required to be included in a summary for these types of securities and the Issuer. Because some Elements are not required to be addressed, there may be gaps in the numbering sequence of the Elements. Even though an Element may be required to be inserted in the summary because of the type of securities and the Issuer, it is possible that no relevant information can be given regarding the Element. In this case a short description of the Element is included in the summary with the mention of "Not Applicable". In particular Elements in italics denote placeholders for completing the issue specific summary relating to a Tranche of Instruments for which such issue specific summary is to be prepared. Words and expressions defined in the sections entitled "Terms and Conditions of the Instruments" or elsewhere in this Base Prospectus have the same meanings in this summary. Section A Introduction and Warnings A.1 Introduction: This summary should be read as an introduction to this Base Prospectus and any decision to invest in the Instruments should be based on a consideration of the Base Prospectus as a whole by the investor. Where a claim relating to the information contained in this Base Prospectus is brought before a court in a Member State of the European Economic Area, the plaintiff may, under the national legislation of the Member States, be required to bear the costs of translating the Base Prospectus before the legal proceedings are initiated. No civil liability will attach to the Issuer 1 in any such Member State solely on the basis of this summary, including any translation thereof, unless it is misleading, inaccurate or inconsistent when read together with the other parts of this Base Prospectus or it does not provide, when read together with the other parts of this Base Prospectus, key information in order to aid investors when considering whether to invest in the Instruments. A.2 Consent: Instruments may be offered in circumstances where there is no exemption from the obligation under the Prospectus Directive to publish a prospectus. Any such offer is referred to as a "Public Offer". Authorised Offerors will provide information to an Investor on the terms and conditions of the Public Offer of the relevant Instruments at the time such Public Offer is made by the Authorised Offeror to the Investor. Section B Issuer B.1 Legal name of the Issuer: Nordea Bank AB (publ) 2 1 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme. 2 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

20 Commercial name of the Issuer: B.2 Domicile and legal forms of the Issuer: Nordea NBAB is a public (publ) limited liability company with registration No The head office is located in Stockholm at the following address: Smålandsgatan 17, Stockholm. The principal legislation under which NBAB operates is the Swedish Companies Act and the Swedish Banking and Financing Business Act. 2 B.4b Trends: Not applicable. There are no clear trends affecting the Issuer or the markets in which it operates. 2 B.5 The Group: NBAB is the parent company of the Nordea Group. The Nordea Group is a large financial services group in the Nordic markets (Denmark, Finland, Norway and Sweden), with additional operations in Russia, the Baltic countries and Luxembourg, as well as branches in a number of other international locations. As part of an initiative to simplify the Nordea Group's legal structure, on 2 January 2017 the previous three main subsidiaries of NBAB, Nordea Bank Danmark A/S in Denmark, NBF in Finland and Nordea Bank Norge ASA in Norway were merged into, and became branches of, NBAB. NBF has therefore ceased to be an issuer under the Programme. 3 B.9 Profit Forecasts and Profit Estimates: B.10 Audit Report Qualification s: As of 31 December 2016, the Nordea Group had total assets of EUR 616 billion and tier 1 capital of EUR 27.6 billion, and was the largest Nordic-based asset manager with EUR billion in assets under management. 4 Not Applicable. The Issuer does not make a profit forecast or profit estimate in the Base Prospectus 5. Not Applicable. There are no qualifications in the audit reports for the Issuer 5. 3 By virtue of the supplement dated 5 January 2017, the group structure of the Nordea Group has been amended to reflect that the three main previous subsidiaries of NBAB have merged into it. 4 By virtue of the supplement dated 2 February 2017, the total assets, tier 1 capital and assets under management figures have been updated to figures as of 31 December 2016 to reflect NBAB's unaudited consolidated financial statements for the year ended 31 December By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

21 B.12 Selected Key Financial Information: The table below shows certain selected summarised financial information which, without material changes, is derived from, and must be read together with, the Issuer's audited consolidated financial statements for the year ending 31 December 2015 and the auditor's report and notes thereto set out in the Annex to the Base Prospectus and the Issuer's unaudited consolidated financial statements for the year ending 31 December 2016 set out in the Annex to this Supplement. 6 NBAB Group selected key financial information: Year ended 31 December (EUR millions) Income Statement Total operating income... 9,927 10,140 10,241 Net loan losses Net profit for the period... 3,766 3,662 3,332 Balance Sheet Total assets , , ,342 Total liabilities , , ,505 Total equity... 32,410 31,032 29,837 Total liabilities and equity , , ,342 Cash Flow Statement Cash flow from operating activities before changes in operating assets and liabilities 7,565 6,472 11,456 Cash flow from operating activities... 3, ,824 Cash flow from investing activities ,254 Cash flow from financing activities... -1,553-1,746-1,040 Cash flow for the period ,072-8,610 Change ,072-8,610 There has been no material adverse change in the ordinary course of business or in the prospects or condition of NBAB since 31 December 2015, being the date of its last published audited financial statements. 7 6 By virtue of the supplement dated 2 February 2017, selected key unaudited information of NBAB for the year ending 31 December 2016 accompanied by comparative data from the same period in the prior financial year has been included. It has been clarified that the auditors' report relates to NBAB's audited consolidated financial statements for the year ended 31 December 2015 only. 7 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

22 B.13 Recent Events: B.14 Dependence upon other entities within the Group: B.15 The Issuer's Principal Activities: There has been no significant change in the financial or trading position of NBAB which has occurred since 31 December , being the date of its last published financial statements. 9 Not Applicable for the Issuer. There have been no recent events particular to the Issuer which are to a material extent relevant to the evaluation of the Issuer's solvency since the date of the Issuer's last published audited or unaudited financial statements. 9 Not Applicable. NBAB is not dependent upon other entities within the Nordea Group. 9 The Nordea Group's organisational structure is built around three main business areas: Retail Banking, Wholesale Banking and Wealth Management. In addition to these business areas, the Nordea Group's organisation includes the following three Group functions: Group Corporate Centre, Group Risk Management and Group Compliance. NBAB conducts banking operations in Sweden within the scope of the Nordea Group's business organisation. NBAB develops and markets financial products and services to personal customers, corporate customers and the public sector. 9 B.16 Controlling Persons: Not Applicable. To the best of NBAB's knowledge, the Nordea Group is not directly or indirectly owned or controlled by any single person or group of persons acting together. 9 8 By virtue of the supplement dated 2 February 2017, the date which there has been no significant change in the financial or trading position of NBAB has been updated to 31 December 2016, being the date of its last published financial statements. 9 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

23 Section C The Instruments C.1 Description of Type and Class of Securities: Issuance in Series: Instruments are issued in series (each a "Series") and Instruments of each Series will all be subject to identical terms (except issue price, issue date and interest commencement date, which may or may not be identical) whether as to currency, interest, yield or maturity or otherwise. Further tranches of Instruments (each a "Tranche") may be issued as part of an existing Series. The title and Series number of the Instruments is: See table below. The Tranche number is: See table below. Name Series number Tranche number BEAROLJAX3NON 2017:7N SE 1 BEAROLJAX5NON 2017:7N SE 1 BEAROLJAX10NON 2017:7N SE 1 BEAROLJAX12NON 2017:7N SE 1 Forms of Instruments: Instruments may be issued in registered certificated form and may be cleared through Euroclear Bank, S.A./N.V. ("Euroclear" or Clearstream Banking, société anonyme ("Clearstream, Luxembourg"). Instruments may issued in dematerialised form and registered for clearing and settlement with Euroclear Sweden AB ("Euroclear Sweden"), Euroclear Finland AB ("Euroclear Finland"), VP Securities A/S ("VP"), or Verdipapirsentralen ASA ("VPS"). Security Identification Number(s): In respect of each Tranche of Instruments, the relevant security identification number(s) will be specified in the relevant Final Terms. The Instruments will be cleared through Euroclear Sweden. The Instruments have been assigned the following securities identifiers: C.2 Currency of the Securities Issue: Name ISIN BEAROLJAX3NON SE BEAROLJAX5NON SE BEAROLJAX10NON SE BEAROLJAX12NON SE U.S. dollars, euro, sterling, Swedish Krona, Norwegian Krone, Danish Krone, Yen, Polish Zloty, Roubles, Hong Kong Dollars and/or such other currency or currencies as may be determined at the time of issuance, subject to compliance with all applicable legal and/or regulatory and/or central bank requirements. The currency of the Instruments is SEK. C.5 Free Transferabi lity: This Base Prospectus contains a summary of certain selling restrictions in the United States, the European Economic Area, the United Kingdom, Denmark, Finland, Ireland, Norway and Sweden. The Instruments have not been and will not be registered under the United States Securities Act of 1933 (the "Securities Act") and may not be offered and sold within the United States or to, or for the account or benefit of U.S. persons except in certain transactions exempt from the registration requirements of the Securities Act

24 In relation to each Member State of the European Economic Area which has implemented the Prospectus Directive, including the Kingdom of Sweden (each, a "Relevant Member State"), each Authorised Offeror will be required to represent and agree, that with effect from and including the date on which the Prospectus Directive is implemented in that Relevant Member State (the "Relevant Implementation Date") it has not made and will not make an offer of Instruments to the public in that Relevant Member State except with the consent of the Issuer 10 given in accordance with Element A.2 above. Each Authorised Offeror will be required to represent and agree that it has complied and will comply with all applicable provisions of the Financial Services and Markets Act 2000 (the "FSMA") with respect to anything done by it in relation to any Instruments in, from or otherwise involving the United Kingdom. Each Authorised Offeror will be required to represent and agree, in respect of any offers or sales of Instruments in Ireland, that it will comply with: the provisions of the European Communities (Markets in Financial Instruments) Regulations 2007 (Nos. 1 to 3) (as amended), including, without limitation, Regulations 7 and 152 thereof or any codes of conduct used in connection therewith and the provisions of the Investor Compensation Act 1998; the provisions of the Companies Acts 2014, the Central Bank Acts 1942 to 2014 (as amended) and any codes of conduct rules made under Section 117(1) of the Central Bank Act 1989; and the provisions of the Market Abuse (Directive 2003/6/EC) Regulations 2005 (as amended) and any rules issued under Section 1370 of the Companies Act Each Authorised Offeror will be required to represent and agree, that it has complied and will comply with all applicable provisions of the Estonian Securities Market Act with respect to anything done by it in relation to any Instruments in, from or otherwise involving Estonia. Instruments which qualify as "derivative instruments" within the meaning of Section 2 of the SMA, Directive 2004/39/EC (MiFID Directive) and Commission Regulation No EC/1287/2006 (MiFID Implementation Regulation), all as amended from time to time, may only be offered in Estonia after assessment of the suitability and appropriateness of the relevant structured instrument to the investor in accordance with applicable Estonian and European Union law. Each Authorised Offeror will be required to represent and agree, that the Instruments have not been offered and will not be offered in Lithuania by way of a public offering, unless in compliance with all applicable provisions of the laws of Lithuania and in particular in compliance with the Law on Securities of the Republic of Lithuania of 18 January 2007 No X-1023 and any regulation or rule made thereunder, as supplemented and amended from time to time. Each Authorised Offeror will be required to represent and agree, that the Instruments have not been offered and will not be offered in Latvia by way of a public offering, unless in compliance with all applicable provisions of the laws of Latvia and in particular in compliance with the Financial Instruments Market Law (Finanšu instrumentu tirgus likums) and any regulation or rule made thereunder, as supplemented and amended from time to time. 10 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

25 Each Authorised Offeror will be required to represent and agree, that it has not offered or sold and will not offer, sell or deliver any of the Instruments directly or indirectly in the Kingdom of Denmark by way of public offering, unless in compliance with the Danish Securities Trading etc. Act (Værdipapirhandelsloven), as amended from time to time, and Executive Orders issued thereunder. Each Authorised Offeror will be required to represent and agree, that it will not publicly offer the Instruments or bring the Instruments into general circulation in Finland other than in compliance with all applicable provisions of the laws of Finland and especially in compliance with the Finnish Securities Market Act (495/1989) and any regulation or rule made thereunder, as supplemented and amended from time to time. Each Authorised Offeror will be required to represent and agree, that it will comply with all laws, regulations and guidelines applicable to the offering of Instruments in Norway. Instruments denominated in Norwegian Krone may not be offered or sold within Norway or to or for the account or benefit of persons domiciled in Norway, unless the regulation relating to the offer of VPS Instruments and the registration in the VPS has been complied with. C.8 The Rights Attaching to the Securities, including Ranking and Limitations to those Rights: Status of the Instruments: The Instruments constitute unsecured and unsubordinated obligations of the Issuer 11 and rank pari passu without any preference among themselves and at least pari passu with all other outstanding unsecured and unsubordinated obligations of the Issuer, present and future. Negative Pledge: None. Cross Default: None. Early Termination: The Issuer 11 may be entitled to terminate the Instruments prior to their scheduled maturity date in certain circumstances. The holders may also be able to request early redemption of the Instruments, if applicable. The holders are entitled to request early redemption of the Instruments. Governing Law: The Instruments and all non-contractual obligations arising out of or in connection with the Instruments are governed either by English law, Swedish law, Finnish law, Norwegian law or Danish law, except that (i) the registration of Instruments with Euroclear Sweden is governed by Swedish law, (ii) the registration of Instruments with Euroclear Finland is governed by Finnish law; (iii) the registration of Instruments with VP is governed by Danish law; and (iv) the registration of Instruments with VPS is governed by Norwegian law. The Instruments are governed by Swedish Law. 11 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

26 C.11 C.21 Listing and Trading: Enforcement of Instruments in Global Form: In the case of Global Instruments, individual investors' rights against the Issuer 11 will be governed by a deed of covenant dated 15 June 2016 (the "Deed of Covenant"), a copy of which will be available for inspection at the specified office of Citibank, N.A., London Branch as fiscal agent (the "Fiscal Agent"). The Instruments are not Global Instruments. Applications have been made for Instruments to be admitted during the period of twelve months after the date hereof to listing on the official list and to trading on the regulated market of the Irish Stock Exchange. Instruments may also be listed for trading on NASDAQ Stockholm, NASDAQ Helsinki, NASDAQ Copenhagen, Oslo Børs and Nordic Growth Market NGM AB NDX (Nordic Derivatives Exchange). The Programme also permits Instruments to be issued on the basis that they will not be admitted to listing, trading and/or quotation by any competent authority, stock exchange and/or quotation system or to be admitted to listing, trading and/or quotation by such other or further competent authorities, stock exchanges and/or quotation systems as may be agreed with the Issuer. 12 Application will be made for the Instruments to be admitted to listing on Nasdaq Stockholm and to trading on Nasdaq Stockholm effective as of the Issue Date. C.15 Value of the Instrument s and Value of the Underlying : Instruments and underlying assets: The Instruments comprise securities in the form of warrants or certificates ("Instruments"). The value of the Instruments will be determined in light of the value of the underlying assets and the performance, interest and yield structure(s) applicable to the Instruments. The Underlying Asset(s) is/are: future contracts. Warrants: A warrant is a financial instrument which provides investors with exposure to a particular underlying asset, e.g. a security or an index. Warrants can also be issued as Turbo Warrants, Market Warrants or MINI Futures, as described in greater detail below. The structure of warrants is such that the performance of the underlying asset affects the value of the warrants and may lead to greater profits or losses on the invested capital than if the investment had been made directly in the underlying asset. The manner in which the Settlement Amount is calculated may differ for each warrant series. However, the following provisions are generally applicable: (i) With respect to Call Warrants, the value of the warrant on the expiration date is determined by the amount by which the price of the underlying asset exceeds the strike price for the warrant. An investor who purchases Call Warrants speculates on an increase in value of the underlying asset. 12 By virtue of the supplement dated 5 January 2017, references to "NBF", the "relevant Issuer", "Issuers" and information relating to NBF as an issuer have been amended/removed from the Summary to reflect that NBF is no longer an issuer under the Programme and that NBAB is the only issuer under the Programme

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